This is a key role to support the on-going Corporate Finance and Treasury activities including debt sourcing, financial and tax structuring for investments in the infrastructure space. The key responsibilities will include:
- Lead financial and tax structuring for investments
- Scope and review financial and tax due diligence for each investment (when required)
- Responsible for debt sourcing for new investments or refinancing
- Review various financing solutions, analyse and recommend the appropriate strategy to raise new debt/refinance
- Maintain relationships with banks and other relevant financial institutions
- Negotiate, review and complete financing documentation (including negotiating financing terms and loan documents)
- Work with internal stakeholders to address cash flow requirements
- Track and monitor loan portfolio, including interest costs, loan covenants and reviewing refinancing needs
- Prepare or review quarterly investor reports, periodic group treasury reporting, recommendation/board papers on financing
- Lead/support treasury operations including bank account management, KYC requirements, loan rollovers, drawdowns, interest period selection and hedging requirements
- Degree in Business Management, Finance or Accountancy with minimum 10 years’ relevant working experience.
- Prior working experience in similar work scope is an advantage.
- Experience in fund reporting/ financing, tax structuring, treasury and/or financing arrangements in the infrastructure investments space will be an added advantage.
- A self-motivated team player who is meticulous, organized and able to learn quickly/ independently with strong analytical skills.
- A strong communicator with excellent stakeholder management skills and ability to work well with different functions and levels.
- Ability to multi-task and work in a fast-pace dynamic environment.
- Some experience in the supervisory role.
Skills Required
- Degree in Business Management, Finance or Accountancy with minimum 10 years' relevant working experience.
- Prior working experience in similar work scope.
- Experience in fund reporting/financing, tax structuring, treasury and/or financing arrangements in infrastructure investments.
- Self-motivated team player who is meticulous, organized, able to learn quickly/independently, with strong analytical skills.
- Strong communicator with excellent stakeholder management skills and ability to work with different functions and levels.
- Ability to multi-task and work in a fast-paced dynamic environment.
- Some experience in a supervisory role.
What We Do
Keppel is a global asset manager and operator with strong expertise in sustainability-related solutions spanning the areas of infrastructure, real estate and connectivity. Headquartered in Singapore, Keppel operates in more than 20 countries worldwide, providing critical infrastructure and services for renewables, clean energy, decarbonisation, sustainable urban renewal and digital connectivity. Keppel creates value for investors and stakeholders through its quality investment platforms and diverse asset portfolios, including private funds and listed real estate and business trusts, and has a total portfolio with more than S$65 billion of assets under management.

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